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Yiren Digital Ltd

YRD

5.800USD

+0.120+2.11%
Close 08/04, 16:00ETQuotes delayed by 15 min
501.16MMarket Cap
0.37P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
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FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-24.23%478.65M
-10.59%373.04M
-92.19%50.39M
-48.62%368.91M
61.86%631.74M
-11.58%417.23M
88.23%645.42M
--718.06M
--390.31M
149.18%471.89M
5.89%342.89M
186.45%189.38M
10352.52%323.82M
-145.47%-212.99M
-125.46%-142.01M
-348.65%-219.07M
-99.62%3.10M
73.85%-86.77M
184.71%557.76M
106.06%88.10M
272.63%808.15M
82.58%-331.83M
19.41%-658.43M
-213.98%-1.45B
-37.38%216.87M
-459.25%-1.91B
-244.73%-817.03M
52.54%1.28B
-23.14%346.33M
35.14%530.37M
29.97%564.50M
399.99%836.05M
355.26%450.58M
284.08%392.47M
3711.12%434.32M
343.34%167.21M
262.18%98.97M
314.89%102.19M
122.96%11.40M
---68.72M
---61.03M
---47.55M
---49.63M
Net income from continuing operations
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111.36%83.38M
829.95%84.91M
280.80%59.93M
310.69%47.64M
--39.45M
---11.63M
---33.15M
---22.61M
Operating gains losses
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276.83%1.48M
168.96%945.06K
221.41%700.93K
196.04%523.68K
--393.44K
--351.37K
--218.08K
--176.89K
Deferred tax
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---69.34M
---36.59M
---46.27M
---24.15M
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--0.00
--0.00
--0.00
Other non-cash items
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-99.62%3.10M
73.85%-86.77M
184.71%557.76M
--88.10M
272.63%808.15M
82.58%-331.83M
19.41%-658.43M
----
-37.38%216.87M
-459.25%-1.91B
-244.73%-817.03M
52.54%1.28B
-23.14%346.33M
35.14%530.37M
29.97%564.50M
7738.73%836.05M
--450.58M
--392.47M
--434.32M
--10.67M
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Change in working capital
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229.91%141.03M
199.91%49.70M
700.54%87.82M
53.60%-12.62M
---108.56M
---49.75M
---14.62M
---27.19M
-Change in receivables
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126.09%18.48M
143.85%19.48M
223.99%19.86M
281.89%20.25M
---70.82M
---44.42M
---16.02M
---11.13M
-Change in prepaid expenses
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96.86%-5.40M
9997.95%164.13M
-817.94%-212.35M
126.06%12.11M
---172.17M
---1.66M
--29.58M
---46.47M
-Change in other current assets
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---152.36M
---104.87M
---111.54M
---97.22M
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--0.00
--0.00
--0.00
-Change in other current liabilities
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--237.05M
--158.11M
--172.90M
--97.22M
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--0.00
--0.00
--0.00
Cash from non-recurring investing activities
Cash from operating activities
-24.23%478.65M
-10.59%373.04M
-92.19%50.39M
-48.62%368.91M
61.86%631.74M
-11.58%417.23M
88.23%645.42M
--718.06M
--390.31M
149.18%471.89M
5.89%342.89M
186.45%189.38M
10352.52%323.82M
-145.47%-212.99M
-125.46%-142.01M
-348.65%-219.07M
-99.62%3.10M
73.85%-86.77M
184.71%557.76M
106.06%88.10M
272.63%808.15M
82.58%-331.83M
19.41%-658.43M
-213.98%-1.45B
-37.38%216.87M
-459.25%-1.91B
-244.73%-817.03M
52.54%1.28B
-23.14%346.33M
35.14%530.37M
29.97%564.50M
399.99%836.05M
355.26%450.58M
284.08%392.47M
3711.12%434.32M
343.34%167.21M
262.18%98.97M
314.89%102.19M
122.96%11.40M
---68.72M
---61.03M
---47.55M
---49.63M
Investing cash flow
Net cash from continuing investing activities
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1322.41%8.83M
117.58%2.60M
473.83%3.18M
57.48%1.88M
--620.89K
--1.20M
--554.54K
--1.20M
Capital expenditures
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1322.41%8.83M
117.58%2.60M
473.83%3.18M
57.48%1.88M
--620.89K
--1.20M
--554.54K
--1.20M
Net cash flow from disposal of fixed assets
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1322.41%8.83M
117.58%2.60M
473.83%3.18M
57.48%1.88M
--620.89K
--1.20M
--554.54K
--1.20M
Net cash flow from investment products
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--52.15M
---80.68M
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Net cash flow from other investing activities
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89.24%-99.46M
-127.03%-164.62M
-109.85%-524.48M
--2.04B
-141.63%-924.15M
29.83%609.08M
4.81%-249.93M
----
548.59%2.22B
590.19%469.12M
38.61%-262.56M
76.04%-193.50M
150.37%342.29M
-285.78%-95.70M
-3143.60%-427.69M
-235.06%-807.74M
---679.49M
--51.52M
--14.05M
---241.07M
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Cash from non-current investing activities
Net cash flow from investing activities
78.71%-145.59M
87.34%-32.95M
-372.07%-1.86B
-2586.03%-536.88M
-188.30%-683.70M
-191.94%-260.33M
52.83%-393.92M
---19.99M
--774.28M
-25.85%283.14M
-257.20%-835.06M
138.92%381.87M
-135.05%-233.78M
-26.68%-208.54M
45.46%-286.06M
-148.02%-981.10M
89.24%-99.46M
-127.03%-164.62M
-109.85%-524.48M
134.57%2.04B
-141.63%-924.15M
29.83%609.08M
4.81%-249.93M
550.16%871.04M
548.59%2.22B
590.19%469.12M
38.61%-262.56M
76.04%-193.50M
150.37%342.29M
-285.78%-95.70M
-3143.60%-427.69M
-308.45%-807.74M
-715.92%-679.49M
1718.91%51.52M
846.36%14.05M
-31750.95%-197.76M
-6863.66%-83.28M
-473.83%-3.18M
-57.48%-1.88M
---620.89K
---1.20M
---554.54K
---1.20M
Financing cash flow
Cash flow from continuous financing activities
-445.39%-80.58M
-134.41%-114.34M
95.58%-22.23M
-1956.93%-125.88M
96.24%-14.77M
709.17%332.31M
-81.98%-502.64M
---6.12M
---392.83M
-19.03%-54.55M
-654.95%-276.20M
-105.10%-45.83M
-39.08%49.77M
261.13%144.11M
525.67%279.40M
157.05%899.49M
1086.36%81.69M
154.38%39.91M
-113.30%-65.64M
-206.24%-1.58B
100.30%6.89M
63.60%-73.39M
108.56%493.39M
355.10%1.48B
-1704.29%-2.31B
-112.21%-201.58M
627.58%236.57M
-1063.17%-581.75M
-171.34%-127.86M
-8.05%-94.99M
-173.27%-44.84M
-91.92%60.40M
284360.30%179.22M
---87.91M
---16.41M
960.11%747.76M
-99.90%63.00K
-100.00%0.00
-100.00%0.00
--70.54M
--62.24M
--48.28M
--50.82M
Net cash flow from other financing activities
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1086.36%81.69M
154.38%39.91M
-113.30%-65.64M
---1.58B
100.30%6.89M
63.60%-73.39M
108.56%493.39M
----
-1704.29%-2.31B
-112.21%-201.58M
627.58%236.57M
-1063.17%-581.75M
-171.34%-127.86M
-8.05%-94.99M
-173.27%-44.84M
-91.92%60.40M
284360.30%179.22M
---87.91M
---16.41M
960.11%747.76M
-99.90%63.00K
-100.00%0.00
-100.00%0.00
--70.54M
--62.24M
--48.28M
--50.82M
Net cash from non-recurrent financing activities
Net cash from financing activities
-445.39%-80.58M
-134.41%-114.34M
95.58%-22.23M
-1956.93%-125.88M
96.24%-14.77M
709.17%332.31M
-81.98%-502.64M
---6.12M
---392.83M
-19.03%-54.55M
-654.95%-276.20M
-105.10%-45.83M
-39.08%49.77M
261.13%144.11M
525.67%279.40M
157.05%899.49M
1086.36%81.69M
154.38%39.91M
-113.30%-65.64M
-206.24%-1.58B
100.30%6.89M
63.60%-73.39M
108.56%493.39M
355.10%1.48B
-1704.29%-2.31B
-112.21%-201.58M
627.58%236.57M
-1063.17%-581.75M
-171.34%-127.86M
-8.05%-94.99M
-173.27%-44.84M
-91.92%60.40M
284360.30%179.22M
---87.91M
---16.41M
960.11%747.76M
-99.90%63.00K
-100.00%0.00
-100.00%0.00
--70.54M
--62.24M
--48.28M
--50.82M
Net cash flow
Beginning cash balance
-32.30%4.10B
-30.76%3.86B
-2.16%5.70B
16.78%5.99B
38.94%6.06B
52.29%5.58B
31.56%5.82B
--5.13B
--4.36B
51.28%3.66B
94.13%4.43B
-19.55%2.42B
-24.64%2.28B
-20.99%2.56B
-17.19%2.71B
10.73%3.01B
7.22%3.03B
23.71%3.24B
7.73%3.27B
35.34%2.72B
41.37%2.82B
-27.82%2.62B
-32.27%3.03B
-36.35%2.01B
-23.44%2.00B
59.42%3.63B
104.91%4.48B
51.58%3.15B
22.50%2.61B
29.23%2.27B
64.39%2.19B
1513.63%2.08B
1785.69%2.13B
16058.02%1.76B
96550.65%1.33B
--128.94M
--112.90M
--10.89M
--1.38M
--0.00
--0.00
--0.00
--0.00
Current period cash flow changes
489.75%254.85M
-50.13%240.77M
-638.78%-1.84B
-142.58%-294.75M
-108.47%-65.39M
-30.97%482.80M
67.53%-248.74M
--692.28M
--771.58M
33.18%699.38M
-648.97%-766.09M
274.34%525.13M
872.79%139.55M
-31.26%-277.70M
-377.67%-148.78M
-154.53%-301.22M
82.95%-18.06M
-203.01%-211.57M
92.53%-31.15M
-46.22%552.35M
-1089.25%-105.92M
112.60%205.40M
51.15%-417.17M
101.76%1.03B
-98.04%10.71M
-589.08%-1.63B
-1068.27%-853.99M
380.70%509.08M
1228.78%545.87M
-9.65%333.21M
-79.49%88.20M
-85.04%105.90M
-466.03%-48.36M
271.45%368.81M
4394.17%430.07M
51773.74%707.94M
--13.21M
--99.29M
--9.57M
--1.36M
--0.00
--0.00
--0.00
Effect of exchange rate changes
76.64%2.37M
334.18%15.02M
-361.04%-6.25M
-372.34%-896.00K
840.33%1.34M
-479.93%-6.41M
4.86%2.40M
--329.00K
---181.00K
-290.81%-1.11M
988.72%2.28M
47.40%-283.00K
92.42%-257.00K
-223.26%-278.00K
-109.78%-118.00K
76.97%-538.00K
-206.14%-3.39M
-105.61%-86.00K
154.92%1.21M
-101.86%-2.34M
102.68%3.19M
-81.13%1.53M
79.99%-2.20M
1293.46%125.66M
-700.62%-119.17M
225.59%8.12M
-190.45%-10.98M
-47.55%9.02M
-1225.09%-14.88M
-150.76%-6.46M
-99.63%-3.78M
285.42%17.19M
151.98%1.32M
4362.51%12.73M
-3473.84%-1.89M
-5686.54%-9.27M
-20545.46%-2.55M
269.61%285.33K
--56.11K
--165.98K
---12.33K
---168.23K
--0.00
Ending cash balance
-27.31%4.36B
-32.30%4.10B
-30.76%3.86B
-2.16%5.70B
16.78%5.99B
38.94%6.06B
52.29%5.58B
--5.82B
--5.13B
48.05%4.36B
51.28%3.66B
8.80%2.95B
-19.55%2.42B
-24.64%2.28B
-20.99%2.56B
-17.19%2.71B
10.73%3.01B
7.22%3.03B
23.71%3.24B
7.73%3.27B
35.34%2.72B
41.37%2.82B
-27.82%2.62B
-17.16%3.03B
-36.35%2.01B
-23.44%2.00B
59.42%3.63B
67.52%3.66B
51.58%3.15B
22.50%2.61B
29.23%2.27B
157.80%2.19B
1548.29%2.08B
1833.02%2.13B
16060.63%1.76B
61474.08%848.13M
--126.23M
--110.14M
--10.89M
--1.38M
--0.00
--0.00
--0.00
Free cash flow
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-99.62%3.10M
73.85%-86.77M
184.71%557.76M
--88.10M
272.63%808.15M
82.58%-331.83M
19.41%-658.43M
----
-37.38%216.87M
-459.25%-1.91B
-244.73%-817.03M
52.54%1.28B
-23.14%346.33M
35.14%530.37M
29.97%564.50M
427.87%836.05M
367.55%450.58M
296.42%392.47M
4465.35%434.32M
328.42%158.38M
254.88%96.37M
305.80%99.00M
118.72%9.51M
---69.34M
---62.22M
---48.11M
---50.82M
Currency unit
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